SLT Holdings LLC

CIK: 0002052222SEC EDGAR →

Portfolio Value

$155.4M

Holdings

137

As of

Q4 2025

New Positions

137

Closed Positions

0

Portfolio Value History

Top 10 Holdings

RankStockSharesValue% of Portfolio
1

NVIDIA CORPORATION

77,180$14.4M
9.26%
2

APPLE INC

38,322$10.4M
6.70%
3

SPDR SERIES TRUST

96,347$8.8M
5.66%
4

GRAYSCALE BITCOIN TRUST ETF

122,775$8.4M
5.40%
5

D-WAVE QUANTUM INC

191,571$5.0M
3.22%
6

MICROSOFT CORP

10,189$4.9M
3.17%
7

AMAZON COM INC

18,440$4.3M
2.74%
8

BROADCOM INC

11,884$4.1M
2.65%
9
VPUCall

VANGUARD WORLD FD

20,000$3.7M
2.38%
10

TESLA INC

8,176$3.7M
2.36%

Quarterly Changes

Top Buys

NVDANEW
$14.4M
AAPLNEW
$10.4M
BILNEW
$8.8M
GBTCNEW
$8.4M
QBTSNEW
$5.0M

Top Sells

No sells this quarter

New Positions (137)

$14.4M · 77K shares
$10.4M · 38K shares
$8.8M · 96K shares
$8.4M · 123K shares
$5.0M · 192K shares
$4.9M · 10K shares
$4.3M · 18K shares
$4.1M · 12K shares
$3.7M · 20K shares
$3.7M · 8K shares
$3.6M · 105K shares
$2.7M · 4K shares
$2.3M · 7K shares
$2.1M · 4K shares
$2.0M · 2K shares
$2.0M · 86K shares
$1.9M · 35K shares
$1.9M · 9K shares
$1.9M · 54K shares
$1.8M · 3K shares
$1.8M · 8K shares
$1.7M · 169K shares
$1.7M · 10K shares
$1.6M · 2K shares
$1.5M · 31K shares
$1.4M · 2K shares
$1.4M · 51K shares
$1.4M · 6K shares
$1.3M · 223K shares
$1.2M · 198K shares
$1.2M · 32K shares
$1.2M · 4K shares
$1.1M · 30K shares
$994K · 11K shares
$993K · 5K shares
$972K · 123K shares
$969K · 6K shares
$910K · 6K shares
$900K · 13K shares
$866K · 32K shares
$862K · 12K shares
$845K · 32K shares
$836K · 17K shares
$830K · 2K shares
$798K · 33K shares
$796K · 5K shares
$793K · 13K shares
$785K · 81K shares
$770K · 5K shares
$769K · 17K shares
$762K · 2K shares
$744K · 7K shares
$744K · 2K shares
$743K · 862 shares
$730K · 17K shares
$729K · 36K shares
$676K · 8K shares
$671K · 6K shares
$653K · 2K shares
$627K · 149K shares
$570K · 291K shares
$568K · 2K shares
$561K · 23K shares
$554K · 20K shares
$546K · 11K shares
$544K · 798 shares
$524K · 648 shares
$521K · 19K shares
$514K · 21K shares
$498K · 4K shares
$492K · 3K shares
$492K · 19K shares
$484K · 425K shares
$480K · 20K shares
$476K · 1K shares
$471K · 700 shares
$469K · 3.0M shares
$467K · 2K shares
$464K · 10K shares
$462K · 24K shares
$459K · 27K shares
$452K · 421 shares
$439K · 12K shares
$429K · 4K shares
$429K · 8K shares
$405K · 4K shares
$400K · 950 shares
$385K · 3K shares
$365K · 2K shares
$353K · 5K shares
$352K · 889 shares
$348K · 12K shares
$328K · 3K shares
$325K · 11K shares
$320K · 564 shares
$312K · 4K shares
$306K · 7K shares
$300K · 4K shares
$295K · 845 shares
$291K · 11K shares
$288K · 1K shares
$281K · 74K shares
$281K · 3K shares
$269K · 472 shares
$267K · 410 shares
$263K · 3K shares
$251K · 595 shares
$250K · 8K shares
$249K · 2K shares
$241K · 2K shares
$240K · 3K shares
$239K · 2K shares
$239K · 6K shares
$237K · 18K shares
$232K · 18K shares
$229K · 16K shares
$223K · 731 shares
$223K · 10K shares
$218K · 1K shares
$215K · 11K shares
$212K · 4K shares
$212K · 4K shares
$211K · 24K shares
$211K · 5K shares
$208K · 3K shares
$208K · 11K shares
$201K · 351 shares
$200K · 398 shares
$200K · 4K shares
$179K · 10K shares
$178K · 25K shares
$148K · 40K shares
$107K · 10K shares
$93K · 35K shares
$86K · 10K shares
$77K · 10K shares
$27K · 13K shares

Sector Breakdown

Sector# HoldingsValue%
Technology38$68.5M44.1%
Financial Services42$46.6M30.0%
Consumer Cyclical8$10.2M6.6%
Unknown8$5.9M3.8%
Communication Services7$5.8M3.8%
Healthcare5$3.7M2.4%
Industrials8$3.5M2.3%
Utilities6$2.9M1.8%
Basic Materials4$2.7M1.8%
Consumer Defensive4$2.6M1.7%
Real Estate4$1.7M1.1%
Energy3$1.1M0.7%